REQUIRED 1. Analyze the following adjustments and enter them on the work sheet. (a) Ending inventory of supplies on November 30, $185. (b) Unexpired (remaining) insurance as of November 30, $800. (c) Depreciation expense on van, $300. (d) Wages earned but not paid as of November 30, $190. 2. Complete the work sheet. Campus Delivery Service Work Sheet (Partial) For Month Ended November 30, 20-- TRIAL BALANCE ADJUSTMENTS ACCOUNT TITLE DEBIT CREDIT DEBIT CREDIT 1 1 Cash 2 Accounts Receivable 980 00 5 9 0 00 3 Supplies 4 Prepaid Insurance 5 Van 575 00 1300 00 4 5 8 0 0 00 6 Accum. Depr.-Van 6 7 Accounts Payable 9 6 0 00 8 Wages Payable 10 0 0 0 00 9. 9 Jason Armstrong, Capital 10 Jason Armstrong, Drawing 11 Delivery Fees 6 0 0 00 10 26 00 00 11 12 Wages Expense 180000 12 13 Advertising Expense 14 Rent Expense 15 Supplies Expense 16 Phone Expense 17 Insurance Expense 380 00 9 00 00 13 14 15 2 2000 16 17 18 Repair Expense 3 15 00 100 00 18 19 Oil and Gas Expense 19 20 Depr. Expense-Van 20 21 13 5 6 0 00 13 5 6 0 00 21 JOURNALIZE AND POST ADJUSTING ENTRIES FROM THE WORK SHEET Refer to Problem 5-15A and the following additional information: Balance in Account Before Account Name Account Number Adjusting Entry $ 575 1,300 Supplies Prepaid Insurance Accum. Depr.-Van Wages Payable Wages Expense Supplies Expense Insurance Expense Depr. Expense-Van 141 145 185.1 01 219 0. 511 1,800 523 535 541

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
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1. What is the amount of supplies USED for the campus delivery service? 2. What is the amount of expired insurance? 3. What is the amount of depreciation expense ? 4. What is the amount of unpaid salaries ? 5. What is the total amounts of the Adjusted Columns
REQUIRED
1. Analyze the following adjustments and enter them on the work sheet.
(a) Ending inventory of supplies on November 30, $185.
(b) Unexpired (remaining) insurance as of November 30, $800.
(c) Depreciation expense on van, $300.
(d) Wages earned but not paid as of November 30, $190.
2. Complete the work sheet.
Campus Delivery Service
Work Sheet (Partial)
For Month Ended November 30, 20 --
TRIAL BALANCE
ADJUSTMENTS
ACCOUNT TITLE
DEBIT
CREDIT
DEBIT
CREDIT
1 Cash
9 80 00
1
2 Accounts Receivable
3 Supplies
5 9 0 00
5 7 5 00
4 Prepaid Insurance
1300 00
4
Van
5 800 00
6
6 Accum. Depr.-Van
7 Accounts Payable
8 Wages Payable
9 Jason Armstrong, Capital
10 Jason Armstrong, Drawing
9 6 0 00
8
10 0 0 0 00
9
6 00 00
10
11 Delivery Fees
2 6 0 0 00
11
12 Wages Expense
180 0 00
12
13 Advertising Expense
14 Rent Expense
15 Supplies Expense
16 Phone Expense
380 00
9 0 0 00
13
14
15
2 20 00
16
17 Insurance Expense
17
18 Repair Expense
19 Oil and Gas Expense
20 Depr. Expense-Van
3 15 00
10 0 00
18
19
20
21
13 5 6 0 00 13 56 0 00
21
(LO2/5)
JOURNALIZE AND POST ADJUSTING ENTRIES FROM THE WORK SHEET Refer
to Problem 5-15A and the following additional information:
Balance in Account Before
Account Name
Account Number
Adjusting Entry
$ 575
Supplies
Prepaid Insurance
Accum. Depr.-Van
Wages Payable
Wages Expense
Supplies Expense
Insurance Expense
Depr. Expense-Van
141
145
1,300
185.1
01
219
511
1,800
523
01
535
0.
541
0.
(continued)
Transcribed Image Text:REQUIRED 1. Analyze the following adjustments and enter them on the work sheet. (a) Ending inventory of supplies on November 30, $185. (b) Unexpired (remaining) insurance as of November 30, $800. (c) Depreciation expense on van, $300. (d) Wages earned but not paid as of November 30, $190. 2. Complete the work sheet. Campus Delivery Service Work Sheet (Partial) For Month Ended November 30, 20 -- TRIAL BALANCE ADJUSTMENTS ACCOUNT TITLE DEBIT CREDIT DEBIT CREDIT 1 Cash 9 80 00 1 2 Accounts Receivable 3 Supplies 5 9 0 00 5 7 5 00 4 Prepaid Insurance 1300 00 4 Van 5 800 00 6 6 Accum. Depr.-Van 7 Accounts Payable 8 Wages Payable 9 Jason Armstrong, Capital 10 Jason Armstrong, Drawing 9 6 0 00 8 10 0 0 0 00 9 6 00 00 10 11 Delivery Fees 2 6 0 0 00 11 12 Wages Expense 180 0 00 12 13 Advertising Expense 14 Rent Expense 15 Supplies Expense 16 Phone Expense 380 00 9 0 0 00 13 14 15 2 20 00 16 17 Insurance Expense 17 18 Repair Expense 19 Oil and Gas Expense 20 Depr. Expense-Van 3 15 00 10 0 00 18 19 20 21 13 5 6 0 00 13 56 0 00 21 (LO2/5) JOURNALIZE AND POST ADJUSTING ENTRIES FROM THE WORK SHEET Refer to Problem 5-15A and the following additional information: Balance in Account Before Account Name Account Number Adjusting Entry $ 575 Supplies Prepaid Insurance Accum. Depr.-Van Wages Payable Wages Expense Supplies Expense Insurance Expense Depr. Expense-Van 141 145 1,300 185.1 01 219 511 1,800 523 01 535 0. 541 0. (continued)
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